Treasury And Reserve Management, Lead

Stripe Issuing

San Francisco, US
On-site
Liquidity management
Reserve allocation strategy
Cash movement paths
Stand up daily liquidity management schedule, workflows, and reporting cadences

Job Summary

  • Stand up daily liquidity management schedule, workflows, and reporting cadences.
  • Working with COO map all cash movement paths for mint, burn, redemption, custody, and funding flows.
  • Build liquidity risk metrics: ratios, liquidity buffers, mismatches, flow analytics.

Matching Summary

Stand up daily liquidity management schedule, workflows, and reporting cadences.

Skills & Requirements

Must-have

  • liquidity management
  • reserve allocation strategy
  • cash movement paths
  • financial risk management
  • regulatory compliance

Nice-to-have

  • cross-functional coordination
  • program governance
  • system enhancements

Key Requirements

  • Years of experience in treasury and reserve management
  • Experience with regulatory frameworks (e.g., OCC standards)
  • Familiarity with financial risk management infrastructure

Work Rights

Not specified

Tailored Resume

Cover Letter